Stride, Inc. - COM (LRN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
4.63K
Holdings value Q2 2024
$326K
Value change Q2 2024
-$35.5K
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 4.63K $326K -$35.5K $70.49 1
2024 Q1 5.13K $323K +$323K $62.98 1
2023 Q4 0 $0 -$1K 0
2023 Q3 17 $1K $0 $58.82 1
2023 Q2 17 $1K $0 $58.82 1
2023 Q1 17 $1K $0 $58.82 1
2022 Q4 17 $1K $0 $58.82 1
2022 Q3 17 $1K $0 $58.82 1
2022 Q2 17 $1K $0 $58.82 1
2022 Q1 17 $1K $0 $58.82 1
2021 Q4 17 $1K -$1K $58.82 1
2021 Q3 34 $1K $0 $29.41 1
2021 Q2 34 $1K $0 $29.41 1
2021 Q1 35 $1.02K -$4.04M $26.71 2
2020 Q4 190K $4.04M -$901M $25.32 2
2020 Q3 34.4M $908M -$20.9M $26.34 188
2020 Q2 36.2M $988M +$59.9M $27.24 140
2020 Q1 34.9M $658M -$15.9M $18.86 132
2019 Q4 35.7M $726M -$19.5M $20.35 152
2019 Q3 35.4M $935M +$15.2M $26.40 177
2019 Q2 34.8M $1.06B +$34.3M $30.41 171
2019 Q1 35M $1.19B +$60.7M $34.13 185
2018 Q4 32.9M $814M -$7.33M $24.79 162
2018 Q3 33.7M $597M +$8.94M $17.70 137
2018 Q2 33.3M $545M -$957K $16.37 137
2018 Q1 34.2M $485M +$8.8M $14.18 137
2017 Q4 33.8M $537M +$10.4M $15.90 124
2017 Q3 32.9M $588M +$770K $17.84 128
2017 Q2 32.9M $590M +$13.4M $17.92 135
2017 Q1 32.2M $616M +$55.7M $19.15 136
2016 Q4 31.5M $541M +$7.51M $17.16 121
2016 Q3 31.4M $450M -$9.19M $14.35 124
2016 Q2 32.2M $402M +$15.8M $12.49 126
2016 Q1 30.4M $301M +$9.3M $9.89 123
2015 Q4 30M $264M -$7.41M $8.80 120
2015 Q3 30.3M $376M +$1.89M $12.44 137
2015 Q2 29.7M $376M -$3.7M $12.65 134
2015 Q1 30M $472M +$27.3M $15.72 130
2014 Q4 28.6M $340M -$133M $11.87 128
2014 Q3 36.2M $577M -$30.4M $15.96 137
2014 Q2 37.7M $906M -$119M $24.07 128
2014 Q1 37.1M $840M +$17.8M $22.65 116